Newsletter

North Pacific council eases into salmon FMP

A lot of new faces are coming to the table at the North Pacific Fishery Management Council, and not a lot of them are happy about it.

Fishermen who had never previously been involved with the council now have to show up to have a hand in how their fisheries will be incorporated into a federal fishery management plan. The council, which regulates federal fisheries off the coast of Alaska, on Thursday started in on the topic of the salmon plan for Cook Inlet, part of the Alaska Peninsula and part of Prince William Sound near Cordova. After the council removed the three areas from the plan by amendment in 2012, effectively exempting them from federal oversight and delegating entirely to the state despite them occurring partially in federal waters, the U.S. Ninth Circuit Court ruled that the move was illegal.

Now, the council has to initiate the process of revising the salmon federal management plan to include the net areas, which is likely to take years. The state of Alaska is appealing the decision with a petition to the U.S. Supreme Court, but the court has not decided whether to take up the case yet. At the Thursday meeting, the council — which didn’t agree with the court’s decision but has to start addressing it anyway — got into the complex questions the plan will have to answer.

One of the first hurdles is that the council doesn’t usually regulate directed salmon fisheries. As anadromous fish, most salmon are harvested within three nautical miles of shore in terminal fisheries, which are in the state’s jurisdiction.

However, under the Magnuson-Stevens Act, the council is required to manage harvested species throughout their ranges. For salmon, that would include state waters and potentially inriver waters, where essential salmon habitat is found. The council wrangled with the question of whether they could preempt state management, which is provided for in law, at the meeting Thursday.

National Oceanic and Atmospheric Administration legal counsel Lauren Smoker clarified that legal precedent says the council wouldn’t be able to preempt state management in internal waters, which puts inriver management off limits. The state waters near shore, though, may be a different story.

Another part of the conundrum is setting criteria for overfishing. The Magnuson-Stevens Act requires the council to set accountability measures to meet the 10 sustainability criteria that are set out in the law, but the parameters of those are based on species and subject to evaluation by NOAA. For salmon stocks, management is based on the state’s analysis and setting of escapement goals, which are inriver and based on state data.

The United Cook Inlet Drift Association, the trade group that sued to have the amendment removing the net areas overturned, argued that the state was not meeting Magnuson-Stevens Act sustainability criteria and needed to be held to federal oversight at the North Pacific Fishery Management Council level. In its comments submitted before the meeting, UCIDA said it was not opposed to the state’s escapement goal management, and state day-to-day management of openings and closures may be more effective than federal management, which can be slower.

UCIDA Vice-President Erik Huebsch said the group wants to see the state held accountable to the sustainability criteria and fishermen get the opportunity to harvest surplus salmon in Cook Inlet to prevent overescapement.

“We see problems in Cook Inlet, both with habitat problems and management problems,” he said. “…We would like to harvest these stocks for (maximum sustained yield), but for various reasons, we don’t really get to do that.”

Cook Inlet’s fisheries are a tug-of-war when they come up before the state’s Board of Fisheries. In late February and early March, stakeholdes and the board met for 14 days to hash out regulations for the area’s sport, personal use and commercial fisheries, with hundreds of comments and sometimes hours of discussion on a single topic.

Ricky Gease, executive director of the Kenai River Sportfishing Association, asked the council to consider the effects on inriver sport and personal use fishermen, who sustain a massive sportfishing and tourism industry in Southcentral Alaska. He said the group supported the council deferring as much management to the state as possible and suggested restrictions like limiting the number of openings in the federal waters and a genetic project on sockeye salmon harvested in federal waters to protect depressed Northern Cook Inlet stocks.

“Though this salmon FMP will impact three areas, Cook Inlet definitely has some unique features to it, and it’s the most complex management system for salmon in the state,” he said.

Two groups representing the fishermen in the other two districts affected by the lawsuit — Concerned Area M Fishermen and the Cordova District Fishermen United — openly said they had been fine with state management and didn’t want to be involved. Huebsch said UCIDA didn’t want the other groups to have to be dragged into it, either, but it was part of the process. The Concerned Area M Fishermen are catching up with the process now that they’ve been pulled into it, but don’t want much to change, said Steve Brown, the group’s president.

“Our perspective is that the state is the proper management for the fishery,” he said.

Federal management sometimes comes with requires vessel observers, who watch commercial fishery bycatch. Electronic monitoring systems for bycatch are in the works, but for now, most observers are still people stationed on boats. Huebsch said the Cook Inlet fishery had had observers before and could accommodate them, but the Prince William Sound fishermen would be very inconvenienced, said Jerry McCune, president of Cordova District Fishermen United.

“It’s going to be very disruptive for our fleet,” he said. “…We want out of this FMP. And (however) we do that, if we can get out of this and go to state management, we’d be happy.”

The council didn’t make an attempt to answer any of the questions at the meeting Thursday, but passed a motion solidifying the preliminary purpose and need of the management plan, a number of alternatives and forming a stakeholder workgroup, which will decide its scope and agenda at future meetings.